Aboriginal Affairs Sample Clauses

Aboriginal Affairs. Except as disclosed in the Northgate Disclosure Letter,
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Aboriginal Affairs. Except as disclosed in Schedule 3.1(gg) of the Disclosure Letter,
Aboriginal Affairs. Except as disclosed in the Richmont Disclosure Letter:
Aboriginal Affairs. (a) There is no Aboriginal Claim of which either the Subsidiary or the Chalice Parties, which has been made or, to the knowledge of the Chalice Parties threatened with respect to any Subsidiary Property or any authorization issued by any Governmental Entity in respect of, or otherwise related to the Subsidiary or the Subsidiary Properties.
Aboriginal Affairs. (a) There is no Aboriginal Claim of which First Mining has received notice, which has been made or, to the knowledge of First Mining, threatened with respect to any First Mining Material Property or any authorization issued by any Governmental Entity in respect of, or otherwise related to First Mining, the First Mining Material Subsidiaries or any First Mining Material Property.
Aboriginal Affairs. To the knowledge of ValGold (without having made due inquiry, in the case of the Xxxxxxxx Gold Project), no other Person, including Persons representing or purporting to represent an Aboriginal Group, and no Aboriginal Group, has asserted any claim, right or interest of any kind whatsoever, relating to the Xxxxxxxx Gold Project or any of the ValGold Properties or any part thereof.
Aboriginal Affairs. (i) To the knowledge of Mountain Lake: (A) it is carrying on business in compliance with all legal and governmental requirements associated with aboriginal related matters; and (B) there are no facts that could give rise to noncompliance by Mountain Lake in respect of any such legal or governmental requirements.
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Related to Aboriginal Affairs

  • Business Development Provide advice and assistance in business growth and development of Party B. 业务发展。对乙方的业务发展提供建议和协助。

  • Regulatory Affairs Development and production of medical products and processes fall under the purview of the Food and Drug Administration (FDA) and research on these products involving animal or human studies is regulated by other laws, directives, and regulations. Project Awards under this Agreement that involve work in support of or related to FDA regulatory approval will address contingencies for Government access to regulatory rights in the event of product development abandonment or failure. Efforts conducted under this OTA shall be done ethically and in accordance with all applicable laws, directives, and regulations. The Government shall ensure performance includes regulatory expertise and guidance for candidate medical countermeasure development efforts:

  • Clinical Development Licensee will have sole responsibility for and sole decision making over the clinical development of any Product arising from the Research Program in the Field. Notwithstanding the foregoing, if Licensee wishes to conduct clinical development of a Development Candidate at Penn and Penn has the clinical expertise, interest and ability to run such a trial as assessed at Penn’s sole discretion, such a study will be conducted under a separate Clinical Trial Agreement to be negotiated by the Parties prior to initiation of such study. Such separate clinical trial agreement will include a detailed clinical development plan, including costs and time lines for conducting the Clinical Trial.

  • Business Development Company Buyer is a business development company as defined in Section 202(a)(22) of the Investment Advisors Act of 1940.

  • Manufacturing and Marketing Rights The Company has not granted rights to manufacture, produce, assemble, license, market, or sell its products to any other person and is not bound by any agreement that affects the Company's exclusive right to develop, manufacture, assemble, distribute, market, or sell its products.

  • Business Development Company Status The Company, during a period of at least 12 months from the Closing Time, will use its commercially reasonable efforts to maintain its status as a business development company; provided, however, the Company may cease to be, or withdraw its election as, a business development company, with the approval of the board of directors and a vote of stockholders as required by Section 58 of the 1940 Act or any successor provision.

  • Research and Development (i) Advice and assistance in relation to research and development of Party B;

  • Sales and Marketing Subdistributor shall market, promote, and solicit orders for the Products to prospective and existing Customers (excluding the Excluded Customers) consistent with good business practice and the highest professional standards in the industry, in each case using its best efforts to maximize Product sales volume in the Territory in accordance with Distributor’s Product marketing strategies, channel and pricing guidelines, and sales policies, and in a manner that reflects favorably at all times on the Products and the good name, goodwill, and reputation of Distributor;

  • Promotion and Marketing For the purpose of promotion and marketing, the Borrower hereby authorizes and consents to the reproduction, disclosure and use by the Lenders and the Agent of its name, identifying logo and the Facilities, provided that the amount of Facilities shall not be disclosed. The Borrower acknowledges and agrees that the Lenders shall be entitled to determine, in their sole discretion, whether to use such information; that no compensation will be payable by the Lenders or the Agent in connection therewith; and that the Lenders and the Agent shall have no liability whatsoever to it or any of its employees, officers, directors, affiliates or shareholders in obtaining and using such information as contemplated herein.

  • Chief Compliance Officer The Chief Compliance Officer of the Trust will be responsible for administering its compliance policies and procedures, shall have sufficient authority and independence within the organization to compel others to adhere to the compliance policies and procedures, shall report directly to the Board of Trustees, shall annually furnish a written report on the operation of the compliance policies and procedures to the Board of Trustees and shall perform such other duties as prescribed by the Board of Trustees.

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